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Dividends (2016 - 2017)

On March 13, 2017, Eagle announced the suspension of its dividend following the payment of its February dividend, which was paid on March 23, 2017.


Dividends Calendar(1)

 Declaration Date   Ex-Dividend Date(2)  Record Date(3)  Payment Date  Amount per Share  
         
 2016        
 January 15  February 1  February 3  February 23  $0.0150
 February 11  February 25  February 29  March 23  $0.0100
 March 17  March 29  March 31  April 22  $0.0100
 April 14  April 27  April 29  May 20  $0.0100
 May 18  May 27  May 31  June 23  $0.0100
 June 6  June 28  June 30  July 22  $0.0050
 July 15  July 27  July 29  August 23  $0.0050
 August 15  August 29  August 31  September 23  $0.0050
 September 15  September 28  September 30  October 21  $0.0050
 October 17  October 27  October 31  November 23  $0.0050
 November 15  November 28  November 30  December 23  $0.0050
 December 15  December 28  December 30  January 23  $0.0050
         
         
2017 2016

(1) Eagle Energy Inc. hereby advises all shareholders that, effective from January 27, 2016, all dividends paid on its common shares will be designated as "eligible dividends" for Canadian income tax purposes. This designation will apply until a notification of a change is posted on this website.

(2) The ex-dividend date is two business days before the dividend record date. Shareholders who purchased shares before the ex-dividend date received the dividend paid in the following month.

(3) Shareholders on record by this date qualified for the next cash dividend. To be on record by this date, investors must have purchased shares by the ex-dividend date so enrolment information had time to reach the transfer agency that manages the dividends.



Distributions (2010 - 2015)

Distributions Calendar

 Declaration Date   Ex-Distribution Date(1)  Record Date(2)  Payment Date(3)  Amount per Unit  
         
 2015        
 December 15  December 29  December 31  January 22  $0.0150
 November 16  November 26  November 30  December 23  $0.0300
 October 15  October 28  October 30  November 23  $0.0300
 September 15  September 28  September 30  October 23  $0.0300
 August 14  August 27  August 31  September 23  $0.0300
 July 15  July 29  July 31  August 21  $0.0300
 June 15  June 26  June 30  July 23  $0.0300
 May 14  May 27  May 29  June 23  $0.0300
 April 14  April 28  April 30  May 22  $0.0300
 March 16  March 27  March 31  April 23  $0.0300
 February 13  February 25  February 27  March 23  $0.0300
 January 15  January 28  January 30  February 23  $0.0300
         
         
2015 2014 2013 2012 2011 2010

(1) The ex-distribution date is two business days before the distribution record date. Unitholders who purchased units before the ex-distribution date received the distribution paid in the following month.

(2) Unitholders on record by this date qualified for the next cash distribution. To be on record by this date, investors must have purchased units by the ex-distribution date so enrolment information has time to reach the transfer agency that manages the distributions.

(3) Distributions declared after March 1, 2011 were paid on the 23rd day of the month following the record date for the distribution. If the 23rd day was not a business day, then the payment was made on the immediately preceding business day.

(4) The December 2010 distribution was in respect of the period from and including November 24, 2010 to December 31, 2010 and equated to a monthly distribution rate of $0.0875 per trust unit.



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